Trxade Group (MEDS)
NASDAQ:MEDS
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Trxade Group (MEDS) Financial Statements

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Trxade Group Financial Overview

Trxade Group's market cap is currently ―. The company's EPS TTM is $-26.961; its P/E ratio is -0.26; Trxade Group is scheduled to report earnings on July 22, 2024, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 24Mar 24Dec 23Sep 23Jun 23
Income Statement-
Total Revenue$ 18.70K-$ 1.72M$ 2.06M$ 2.25M
Gross Profit$ -703.00-$ -2.31M$ 1.70M$ 1.64M
EBIT$ -1.37M$ -5.75M$ -9.96M$ 901.39K$ -911.39K
EBITDA$ -1.36M$ -5.75M$ -9.25M$ 1.13M-
Net Income Common Stockholders$ -1.83M$ 22.03M$ -11.67M$ -3.53M$ -1.09M
Balance Sheet-
Cash, Cash Equivalents and Short-Term Investments$ 7.72M$ 3.50M$ 151.91K$ 34.03K$ 745.56K
Total Assets$ 14.85M$ 16.74M$ 12.53M$ 21.65M$ 3.74M
Total Debt$ 193.60K$ 201.58K$ 7.10M$ 6.48M$ 211.43K
Net Debt$ -7.53M$ -3.30M$ 6.95M$ 6.45M$ -534.13K
Total Liabilities$ 3.06M$ 3.12M$ 11.99M$ 10.09M$ 5.04M
Stockholders Equity$ 11.79M$ 13.62M$ 542.35K$ 11.56M$ -1.29M
Cash Flow-
Free Cash Flow$ 4.22M$ -10.19M$ -386.35K$ -603.11K-
Operating Cash Flow$ 4.22M$ -10.19M$ -386.35K$ -603.11K$ 328.57K
Investing Cash Flow$ -774.00$ 27.43M$ -418.74K$ -207.11K$ -51.80K
Financing Cash Flow-$ -13.90M$ 1.84M$ 114.96K$ -725.28K
Currency in USD

Trxade Group Earnings and Revenue History

Trxade Group Debt to Assets

Trxade Group Cash Flow

Trxade Group Forecast EPS vs Actual EPS

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